BTP Piu 25 FB 33

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ISIN
IT0005634800
Date
31/12/2025 - 7:36pm

Instrument Info

Field Value
Repubblica Italiana
IT0005634800
BTP Piu 25 FB 33
Italian Government Bond
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Mixed Rate
3M
2.85
25/02/2025 25/02/2025 22/02/2033 25/02/2033 26/05/2025 1000000000 No

Settlement info

Automatic Domestic with Central Counterpart MONTETITOLI GAR EUR 02/01/2026 Secco ACT/ACT

Parameters

IT0005634800 BTP Piu 25 FB 33 94.335 - 106.377 98.349 - 102.363 100.356 9:00 17:30 Active
Banca Sella Holding S.p.A.
Banco BPM S.p.A.
Iccrea Banca S.p.A.
MifidII
MifidII
MifidII
150000 -